Name Net reduced
positions
Reduced positions Increased positions Return since
31 Dec ‘20
301
37 91 54 38.8%
302
37 152 115 124%
303
37 241 204 122%
NGG icon
304
National Grid
NGG
$89.8B
37 126 89 73%
305
37 219 182 3.77%
306
37 261 224 27%
307
37 145 108 123%
308
37 112 75 90.9%
309
37 95 58 73.1%
310
37 136 99 69.6%
SPHD icon
311
Invesco S&P 500 High Dividend Low Volatility ETF
SPHD
$3.29B
37 96 59 32%
312
37 113 76 89%
313
37 101 64 74.3%
314
37 231 194 36.3%
315
37 121 84 10.2%
316
36 227 191 72.8%
317
36 75 39 11.5%
318
36 105 69 5.14%
319
36 94 58 53.5%
320
36 103 67 44.1%
321
36 137 101 30.3%
322
36 115 79 27.5%
323
36 121 85 174%
324
36 108 72 157%
325
36 239 203 44.9%